Germany : Financial Sector Assessment Program-Fund Management: Regulation, Supervision and Systemic Risk Monitoring-Technical Notes.
This paper discusses the German asset management sector and an analysis of certain key aspects of the regulatory and supervisory regime. Germany has a large and diverse asset management sector to which it applies a strong and comprehensive regulatory framework. The sector is the third-largest in Eur...
| Institution som forfatter: | International Monetary Fund. Monetary and Capital Markets Department |
|---|---|
| Format: | Tidsskrift |
| Sprog: | English |
| Udgivet: |
Washington, D.C. :
International Monetary Fund,
2016.
|
| Serier: | IMF Staff Country Reports; Country Report ;
No. 2016/193 |
| Online adgang: | Full text available on IMF |
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